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Nicholson Wealth Management Group, LLC
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Back to Nicholson Wealth Management Group, LLC
NW
Nicholson Wealth Management Group, LLC
All holdings · as of Dec 31, 2025
108 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
VANGUARD INDEX FDS
—
$5.36M
8,539
3.1%
Perspective Therapeutics, Inc.
—
$4.45M
1,617,993
2.6%
VANGUARD INDEX FDS
—
$3.77M
11,239
2.2%
MICROSOFT CORP
—
$3.61M
7,457
2.1%
Apple Inc.
—
$2.97M
10,932
1.7%
UNITED BANKSHARES INC/WV
—
$2.93M
76,245
1.7%
ELI LILLY & Co
—
$2.60M
2,419
1.5%
PEPSICO INC
—
$2.54M
17,712
1.5%
PROCTER & GAMBLE Co
—
$2.47M
17,224
1.4%
Walmart Inc.
—
$2.35M
21,111
1.4%
JOHNSON & JOHNSON
—
$2.27M
10,962
1.3%
Broadcom Inc.
—
$2.22M
6,413
1.3%
Cencora Inc
—
$2.19M
6,483
1.3%
MCDONALD'S CORP
—
$2.18M
7,126
1.3%
GENERAL DYNAMICS CORP
—
$2.13M
6,325
1.2%
ANALOG DEVICES INC
—
$2.13M
7,839
1.2%
Visa Inc
—
$2.11M
6,006
1.2%
Chubb Ltd
—
$2.11M
6,747
1.2%
HOME DEPOT, INC.
—
$2.10M
6,116
1.2%
L3HARRIS TECHNOLOGIES, INC. /DE
—
$2.10M
7,140
1.2%
CISCO SYSTEMS, INC.
—
$2.07M
26,908
1.2%
Parker-Hannifin Corp
—
$2.06M
2,339
1.2%
AMGEN INC
—
$1.97M
6,019
1.2%
W.W. GRAINGER, INC.
—
$1.95M
1,937
1.1%
AMPHENOL CORP /DE
—
$1.95M
14,460
1.1%
LINDE PLC
—
$1.95M
4,563
1.1%
ATMOS ENERGY CORP
—
$1.93M
11,487
1.1%
COSTCO WHOLESALE CORP /NEW
—
$1.91M
2,220
1.1%
Jack Henry & Associates Inc
—
$1.90M
10,408
1.1%
EMERSON ELECTRIC CO
—
$1.89M
14,259
1.1%
AFLAC INC
—
$1.89M
17,152
1.1%
WEC ENERGY GROUP, INC.
—
$1.87M
17,751
1.1%
NEXTERA ENERGY INC
—
$1.87M
23,265
1.1%
SHERWIN WILLIAMS CO
—
$1.87M
5,763
1.1%
LOWES COMPANIES INC
—
$1.87M
7,740
1.1%
Mastercard Inc
—
$1.85M
3,249
1.1%
Xylem Inc.
—
$1.85M
13,577
1.1%
Accenture plc
—
$1.85M
6,882
1.1%
TEXAS INSTRUMENTS INC
—
$1.84M
10,631
1.1%
Zoetis Inc.
—
$1.84M
14,654
1.1%
Constellation Energy Corp
—
$1.84M
5,215
1.1%
SOUTHERN CO
—
$1.84M
21,122
1.1%
PPG INDUSTRIES INC
—
$1.84M
17,972
1.1%
AUTOMATIC DATA PROCESSING INC
—
$1.84M
7,152
1.1%
MCCORMICK & CO INC
—
$1.84M
26,995
1.1%
FactSet Research Systems Inc
—
$1.84M
6,325
1.1%
Prologis Inc
—
$1.83M
14,346
1.1%
Medtronic plc
—
$1.83M
19,036
1.1%
UNITEDHEALTH GROUP INC
—
$1.82M
5,528
1.1%
ABBOTT LABORATORIES
—
$1.82M
14,560
1.1%
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